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Tortoise Energy Infrastructure Corp.

TYG

Latest Trade

27.67USD

Change

-0.42(-1.48%)

Volume

19,800

Today's Range

27.54

 - 

27.98

52 Week Range

19.08

 - 

31.15

As of on the New York Stock Exchange ∙ Minimum 15 minute delay

Latest Developments

Tortoise Energy Infrastructure Says As Of Dec. 31, Net Asset Value Was $1.0 Bln, Or $19.38 Per Share

Jan 2 (Reuters) - Tortoise Energy Infrastructure Corp <TYG.N>::AS OF DEC 31, 2019, COMPANY'S UNAUDITED TOTAL ASSETS WERE APPROXIMATELY $1.8 BILLION.TORTOISE ENERGY INFRASTRUCTURE - AS OF DEC. 31, 2019, NET ASSET VALUE WAS $1.0 BILLION, OR $19.38 PER SHARE.

Tortoise Energy Infrastructure Files For Mixed Shelf Of Up To $375 Mln

April 10 (Reuters) - Tortoise Energy Infrastructure Corp <TYG.N>::TORTOISE ENERGY INFRASTRUCTURE CORP FILES FOR MIXED SHELF OF UP TO $375 MILLION – SEC FILING.

Tortoise Energy Infrastructure's unaudited total assets were about $2.6 bln as of June 30​

July 3 (Reuters) - Tortoise Energy Infrastructure Corp <TYG.N>::Tortoise Energy Infrastructure Corp provides unaudited balance sheet information and asset coverage ratio update as of June 30, 2017.Tortoise Energy Infrastructure Corp - ‍as of June 30, 2017, company's unaudited total assets were approximately $2.6 billion​.Tortoise Energy Infrastructure Corp - ‍as of June 30, 2017, unaudited net asset value was $1.4 billion, or $28.16 per share​.

Tortoise Energy Infrastructure unaudited NAV $28.83 per share as of Nov. 30

Tortoise Energy Infrastructure Corp <TYG.N> : Tortoise energy infrastructure corp. Provides unaudited balance sheet information and asset coverage ratio update as of Nov. 30, 2016 .Tortoise energy infrastructure - as of Nov. 30 unaudited total assets were about $2.6 billion and unaudited net asset value was $1.4 billion, or $28.83 per share.

Tortoise Energy Infrastructure unaudited NAV $28.83 per share as of Nov. 30 <TYG.N>

Tortoise Energy Infrastructure Corp <TYG.N> : Tortoise energy infrastructure corp. Provides unaudited balance sheet information and asset coverage ratio update as of Nov. 30, 2016 .Tortoise energy infrastructure - as of Nov. 30 unaudited total assets were about $2.6 billion and unaudited net asset value was $1.4 billion, or $28.83 per share.

Tortoise Capital Advisors announces completion of TYG, TYY and TYN Merger

Tortoise Capital Advisors:Announced completion of merger of Tortoise Energy Infrastructure Corp. (TYG), Tortoise Energy Capital Corp. (TYY) and Tortoise North American Energy Corp. (TYN).TYG acquired substantially all of assets and liabilities of TYY and TYN in tax-free transaction in exchange for an equal aggregate value of newly issued TYG common stock and cash proceeds for fractional shares.

Tortoise Energy Infrastructure Corp declares distribution

Tortoise Energy Infrastructure Corp:Declares distribution amount of $0.57750.Payment date Feb. 28.Record date Feb. 21.Ex-dividend date is Feb. 19, 2014.

Tortoise Energy Infrastructure Corp Announces Distribution

Tortoise Energy Infrastructure Corp announced a distribution of $0.57250 a 0.4% change from Prior distribution. The distribution will be paid on September 3, 2013 to stockholders of record on August 23, 2013. The ex-dividend date is August 21, 2013.

Tortoise Energy Infrastructure Corp. Announces Distribution Increase

Tortoise Energy Infrastructure Corp. announced that it has declared the Company’s fourth quarter 2011 distribution of $0.555 per share, an increase of 0.5% compared to the $0.5525 distribution in the previous quarter and an increase of 2.8% compared to the $0.54 distribution in the same quarter over the prior year. The distribution is payable on November 30, 2011, to stockholders of record on November 22, 2011.

Tortoise Energy Infrastructure Corp. Announces Distribution Increase

Tortoise Energy Infrastructure Corp. announced that the Board of Directors the Company have declared a third quarter 2011 distribution of $0.5525 per share, an increase of 0.9% compared to the $0.5475 distribution in the previous quarter. The distribution is payable on September 1, 2011, to stockholders of record on August 24, 2011.

Quote and financial data from Refinitiv. Fund performance data provided by Lipper. All quotes delayed a minimum of 15 minutes.

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